Position Summary
Responsible for managing end-to-end financial operations within company, including financial reporting, budgeting, cash flow management, regulatory compliance, and financial analysis. The role ensures accuracy, integrity, and timeliness of financial information and supports management decision-making through high-quality financial insights.
Responsibilities
-
Prepare and maintain a full set of yearly financial statements, monthly management accounts, and monthly/weekly performance reports
-
Manage month-end and year-end closing processes, ensuring accuracy, completeness, and timely reporting
-
Reconcile general ledger, subsidiary records, and policy/finance systems to ensure data integrity
-
Monitor and validate incoming funds including premiums and investment income
-
Prepare regular revenue, premium, and collections reports (daily/weekly/ad-hoc)
-
Monitor and verify outgoing payments including claims, operating expenses, petty cash, and cash advances, ensuring proper authorization and documentation
-
Manage liquidity and prepare rolling cash flow forecasts
-
Perform variance analysis and provide financial performance insights
-
Develop financial models and monitor key financial KPIs
-
Coordinate with external auditors, tax authorities, and regulators for statutory and regulatory reporting
-
Ensure timely submission of statutory, tax, and insurance regulatory reports
-
Maintain compliance with applicable accounting, tax, and insurance regulations
-
Strengthen internal controls and ensure end-to-end financial data integrity
-
Coordinate across finance functions (AP, AR, Treasury, Reporting, Tax) to ensure timely delivery
-
Support finance team members and ensure accuracy and timeliness of outputs
-
Prepare ad-hoc financial reports, analysis, and management presentations
-
Draft financial and regulatory correspondence in English and Burmese
-
Provide financial insights to support business decision-making